Latest Quarter
2025-12-31
Quick answer: latest quarter results, by ticker or company name
Latest Quarter
2025-12-31
Revenue
$1.7B
Net Income
$157M
Operating Margin
14.4%
Free Cash Flow
$761M
Debt / Assets
91.3%
Values are in USD and rounded to the nearest whole number unless noted.
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| Income Statement (Quarterly) | 2025-12-31 | 2025-09-30 | 2025-03-31 | 2024-12-31 |
|---|---|---|---|---|
| Revenue | 1,673,000,000 | 1,429,000,000 | 1,668,000,000 | 1,686,000,000 |
| Cost of Revenue | 951,000,000 | 835,000,000 | 924,000,000 | 948,000,000 |
| Gross Profit | 722,000,000 | 594,000,000 | 744,000,000 | 738,000,000 |
| Operating Expenses | ||||
| R&D Expenses | 0 | 0 | 0 | 0 |
| SG&A Expenses | 452,000,000 | 443,000,000 | 267,000,000 | 471,000,000 |
| Operating Expenses | 481,000,000 | 471,000,000 | 294,000,000 | 507,000,000 |
| Operating Income | 241,000,000 | 123,000,000 | 450,000,000 | 231,000,000 |
| Interest Expense | 28,000,000 | 26,000,000 | 23,000,000 | 22,000,000 |
| Income Before Tax | 215,000,000 | 107,000,000 | 254,000,000 | 237,000,000 |
| Income Tax Expense | 54,000,000 | 25,000,000 | 63,000,000 | 43,000,000 |
| Net Income | 157,000,000 | 80,000,000 | 186,000,000 | 193,000,000 |
| Per Share | ||||
| EPS | 1.29 | 0.65 | 1.51 | 1.55 |
| EPS Diluted | 0.00 | 0.00 | 0.00 | 0.00 |
| Income Statement (Annual) | 2025-06-30 | 2024-06-30 | 2023-06-30 | 2022-06-30 | 2021-06-30 |
|---|---|---|---|---|---|
| Revenue | 7,104,000,000 | 7,093,000,000 | 7,389,000,000 | 7,107,000,000 | 7,341,000,000 |
| Cost of Revenue | 3,910,000,000 | 4,068,000,000 | 4,481,000,000 | 4,562,000,000 | 4,142,000,000 |
| Gross Profit | 3,194,000,000 | 3,025,000,000 | 2,908,000,000 | 2,545,000,000 | 3,199,000,000 |
| Operating Expenses | |||||
| R&D Expenses | 0 | 0 | 0 | 0 | 0 |
| SG&A Expenses | 1,894,000,000 | 1,983,000,000 | 1,917,000,000 | 1,663,000,000 | 1,794,000,000 |
| Operating Expenses | 2,015,000,000 | 2,109,000,000 | 2,055,000,000 | 1,795,000,000 | 1,974,000,000 |
| Operating Income | 1,179,000,000 | 916,000,000 | 1,224,000,000 | 489,000,000 | 1,225,000,000 |
| Interest Expense | 101,000,000 | 103,000,000 | 90,000,000 | 106,000,000 | 99,000,000 |
| Income Before Tax | 1,078,000,000 | 398,000,000 | 238,000,000 | 607,000,000 | 900,000,000 |
| Income Tax Expense | 254,000,000 | 106,000,000 | 77,000,000 | 136,000,000 | 181,000,000 |
| Net Income | 810,000,000 | 280,000,000 | 149,000,000 | 462,000,000 | 710,000,000 |
| Per Share | |||||
| EPS | 6.56 | 2.25 | 1.21 | 3.75 | 5.66 |
| EPS Diluted | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
| Balance Sheet (Quarterly) | 2025-06-30 | 2024-06-30 | 2023-06-30 | 2022-06-30 |
|---|---|---|---|---|
| Assets | ||||
| Cash and Cash Equivalents | 167,000,000 | 202,000,000 | 367,000,000 | 183,000,000 |
| Short Term Investments | 0 | 0 | 0 | 0 |
| Net Receivables | 821,000,000 | 695,000,000 | 688,000,000 | 681,000,000 |
| Inventory | 523,000,000 | 637,000,000 | 696,000,000 | 755,000,000 |
| Total Current Assets | 1,608,000,000 | 1,622,000,000 | 1,828,000,000 | 1,725,000,000 |
| Property Plant Equipment | 1,600,000,000 | 1,675,000,000 | 1,691,000,000 | 1,676,000,000 |
| Goodwill and Intangibles | 1,795,000,000 | 1,909,000,000 | 1,964,000,000 | 2,442,000,000 |
| Total Assets | 5,561,000,000 | 5,751,000,000 | 5,945,000,000 | 6,158,000,000 |
| Liabilities | ||||
| Account Payables | 838,000,000 | 950,000,000 | 1,659,000,000 | 960,000,000 |
| Short Term Debt | 91,000,000 | 88,000,000 | 137,000,000 | 315,000,000 |
| Total Current Liabilities | 1,919,000,000 | 1,574,000,000 | 1,917,000,000 | 1,784,000,000 |
| Long Term Debt | 2,789,000,000 | 2,815,000,000 | 2,787,000,000 | 2,788,000,000 |
| Total Liabilities | 5,079,000,000 | 5,259,000,000 | 5,557,000,000 | 5,429,000,000 |
| Shareholders Equity | ||||
| Retained Earnings | 432,000,000 | 250,000,000 | 583,000,000 | 1,048,000,000 |
| Total Shareholders Equity | 321,000,000 | 328,000,000 | 220,000,000 | 556,000,000 |
| Balance Sheet (Annual) | 2025-06-30 | 2024-06-30 | 2023-06-30 | 2022-06-30 | 2021-06-30 |
|---|---|---|---|---|---|
| Assets | |||||
| Cash and Cash Equivalents | 167,000,000 | 202,000,000 | 367,000,000 | 183,000,000 | 319,000,000 |
| Short Term Investments | 0 | 0 | 0 | 0 | 0 |
| Net Receivables | 821,000,000 | 695,000,000 | 688,000,000 | 681,000,000 | 604,000,000 |
| Inventory | 523,000,000 | 637,000,000 | 696,000,000 | 755,000,000 | 752,000,000 |
| Total Current Assets | 1,608,000,000 | 1,622,000,000 | 1,828,000,000 | 1,725,000,000 | 1,829,000,000 |
| Property Plant Equipment | 1,600,000,000 | 1,675,000,000 | 1,691,000,000 | 1,676,000,000 | 1,634,000,000 |
| Goodwill and Intangibles | 1,795,000,000 | 1,909,000,000 | 1,964,000,000 | 2,442,000,000 | 2,493,000,000 |
| Total Assets | 5,561,000,000 | 5,751,000,000 | 5,945,000,000 | 6,158,000,000 | 6,334,000,000 |
| Liabilities | |||||
| Account Payables | 838,000,000 | 950,000,000 | 1,659,000,000 | 960,000,000 | 930,000,000 |
| Short Term Debt | 91,000,000 | 88,000,000 | 137,000,000 | 315,000,000 | 381,000,000 |
| Total Current Liabilities | 1,919,000,000 | 1,574,000,000 | 1,917,000,000 | 1,784,000,000 | 2,056,000,000 |
| Long Term Debt | 2,789,000,000 | 2,815,000,000 | 2,787,000,000 | 2,788,000,000 | 2,785,000,000 |
| Total Liabilities | 5,079,000,000 | 5,259,000,000 | 5,557,000,000 | 5,429,000,000 | 5,742,000,000 |
| Shareholders Equity | |||||
| Retained Earnings | 432,000,000 | 250,000,000 | 583,000,000 | 1,048,000,000 | 1,036,000,000 |
| Total Shareholders Equity | 321,000,000 | 328,000,000 | 220,000,000 | 556,000,000 | 411,000,000 |
| Cash Flow Statement (Quarterly) | 2025-06-30 | 2024-06-30 | 2023-06-30 | 2022-06-30 |
|---|---|---|---|---|
| Operating Activities | ||||
| Net Income | 824,000,000 | 292,000,000 | 161,000,000 | 471,000,000 |
| Depreciation & Amortization | 219,000,000 | 235,000,000 | 236,000,000 | 224,000,000 |
| Stock Based Compensation | 81,000,000 | 74,000,000 | 73,000,000 | 52,000,000 |
| Change in Working Capital | -211,000,000 | -241,000,000 | 354,000,000 | -99,000,000 |
| Operating Cash Flow | 981,000,000 | 695,000,000 | 1,158,000,000 | 786,000,000 |
| Investing Activities | ||||
| Capital Expenditure | -220,000,000 | -212,000,000 | -228,000,000 | -251,000,000 |
| Investments | -220,000,000 | -212,000,000 | -228,000,000 | -251,000,000 |
| Investing Cash Flow | -94,000,000 | -175,000,000 | -223,000,000 | -229,000,000 |
| Financing Activities | ||||
| Debt Repayment | 0 | -45,000,000 | -188,000,000 | -1,405,000,000 |
| Common Stock Issued/Repurchased | -306,000,000 | 1,000,000 | 33,000,000 | -20,000,000 |
| Dividends Paid | -602,000,000 | -595,000,000 | -583,000,000 | -571,000,000 |
| Financing Cash Flow | -924,000,000 | -655,000,000 | -753,000,000 | -689,000,000 |
| Summary | ||||
| Free Cash Flow | 761,000,000 | 483,000,000 | 930,000,000 | 535,000,000 |
| Net Change in Cash | -37,000,000 | -161,000,000 | 182,000,000 | -138,000,000 |
| Cash Flow Statement (Annual) | 2025-06-30 | 2024-06-30 | 2023-06-30 | 2022-06-30 | 2021-06-30 |
|---|---|---|---|---|---|
| Operating Activities | |||||
| Net Income | 824,000,000 | 292,000,000 | 161,000,000 | 471,000,000 | 710,000,000 |
| Depreciation & Amortization | 219,000,000 | 235,000,000 | 236,000,000 | 224,000,000 | 211,000,000 |
| Stock Based Compensation | 81,000,000 | 74,000,000 | 73,000,000 | 52,000,000 | 50,000,000 |
| Change in Working Capital | -211,000,000 | -241,000,000 | 354,000,000 | -99,000,000 | -11,000,000 |
| Operating Cash Flow | 981,000,000 | 695,000,000 | 1,158,000,000 | 786,000,000 | 1,276,000,000 |
| Investing Activities | |||||
| Capital Expenditure | -220,000,000 | -212,000,000 | -228,000,000 | -251,000,000 | -331,000,000 |
| Investments | -220,000,000 | -212,000,000 | -228,000,000 | -251,000,000 | 0 |
| Investing Cash Flow | -94,000,000 | -175,000,000 | -223,000,000 | -229,000,000 | -452,000,000 |
| Financing Activities | |||||
| Debt Repayment | 0 | -45,000,000 | -188,000,000 | -1,405,000,000 | 0 |
| Common Stock Issued/Repurchased | -306,000,000 | 1,000,000 | 33,000,000 | -20,000,000 | -905,000,000 |
| Dividends Paid | -602,000,000 | -595,000,000 | -583,000,000 | -571,000,000 | -558,000,000 |
| Financing Cash Flow | -924,000,000 | -655,000,000 | -753,000,000 | -689,000,000 | -1,391,000,000 |
| Summary | |||||
| Free Cash Flow | 761,000,000 | 483,000,000 | 930,000,000 | 535,000,000 | 945,000,000 |
| Net Change in Cash | -37,000,000 | -161,000,000 | 182,000,000 | -138,000,000 | -555,000,000 |